Job Search and Career Advice Platform

Enable job alerts via email!

Assistant Finance Manager

THE STRAITS TRADING COMPANY LIMITED

Singapore

On-site

SGD 70,000 - 90,000

Full time

Yesterday
Be an early applicant

Generate a tailored resume in minutes

Land an interview and earn more. Learn more

Job summary

A conglomerate-investment company in Singapore is seeking a motivated Assistant Finance Manager. This role involves overseeing cash management, assisting in banking operations, and ensuring compliance with accounting standards. Candidates should have a degree in accounting and be qualified CA or CPA, with 5 to 7 years of relevant experience, preferably in real estate or a big audit firm. Experience with Oracle Fusion is a plus. Competitive compensation and professional growth opportunities are offered.

Qualifications

  • Minimum 5 to 7 years of relevant experience in a real estate company or big 4 audit firm.
  • Experience in Oracle Fusion is advantageous.
  • Previous industry experience in Real Estate/Property will be advantageous.

Responsibilities

  • Support cash management asset financing/refinancing strategies.
  • Assist banking operations and ensure loan compliance.
  • Prepare and review annual budgets and forecasts.
  • Oversee asset financial statements and ensure compliance.

Skills

Cash management
Financial analysis
Accounting standards compliance
Oracle Fusion

Education

Degree in accounting
Qualified in CA or CPA
Job description

Established in 1887, The Straits Trading Company Limited is a conglomerate-investment company with operations and financial interests in resources, property, and hospitality. These include majority or strategic stakes in Malaysia Smelting Corporation Berhad and Far East Hospitality Holdings. These holdings also include a diversified property portfolio and real estate investment that are wholly-owned.

We are looking for a driven, motivated andhands-onAssistant Finance Manager.

Treasury Management
  • Working together with Group Treasury to support the cash management asset financing/ refinancing FX and interest rate hedging strategies for the assets under his/her charge
  • Assist the banking operations of the assets under his/her charge
  • Monitor and ensuring loan compliance/ available headroom and proposing appropriate strategies
  • Working with lenders on asset financing/refinancing events
  • Analyzing and implementing FX and interest rate hedging strategies
Corporate Finance
  • Working with the investment &/or Asset Management teams on
  • Financing for new acquisitions, refinancing for existing investments
  • Efficient capital structuring for new acquisitions and divestment funding mechanism
  • Reviewing and proposing changes to tax strategies in accordance with regulatory changes
Financial Planning & Analysis
  • Preparing/ Reviewing annual budget and monthly forecast
  • Analyzing asset financial performance via forecasting
  • Providing insights on business activities
  • Analyzing the P&L and cashflow impact of potential acquisitions / divestments
Accounting
  • Overseeing and reviewing asset financial statements and ensuring compliance with accounting standards and regulations
  • Guiding the local reporting teams on accounting treatment for acquisitions, divestments and other transactions
  • Ensuring annual audit and tax compliance for assets under his/her charge
Others
  • Perform other duties as assigned and any other work exigencies and secondment that may arise and as requested by the company.
Requirements
  • Degree in accounting
  • Qualified in CA or CPA (CA, ACCA and other recognized accounting bodies)
  • At least 5 to 7 years of relevant work experience in a real estate company including in a big 4 audit firm
  • Experience in Oracle Fusion is advantageous
  • Previous industry experience in Real Estate/Property will be advantageous
Get your free, confidential resume review.
or drag and drop a PDF, DOC, DOCX, ODT, or PAGES file up to 5MB.